Originally, I was feeling a bit down because of the decline in Crypto.

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2 hours ago

I was originally feeling a bit down because of the drop in Crypto, but then I saw that global assets have plummeted!

This time, South Korea is a very typical emotional trigger:

The KOSPI once plummeted, triggering a circuit breaker, with the hardest hit being semiconductor, AI, and technology, dragging down US stocks and Hong Kong stocks.

When the market is rising, everyone tells their own stories; Korean stocks talk about the semiconductor cycle, US stocks talk about AI productivity, Hong Kong stocks talk about valuation recovery, and Crypto talks about decentralization, on-chain finance, and digital gold;

Once the market enters panic mode, the correlation between all assets suddenly approaches 1.

Just lie flat, the recent ups and downs, back and forth, are all just noise, not suitable for my operations!


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